More Bonds of Iberdrola International B.V.

About the Iberdrola International B.V.-Bond (XS0767977811)

The Iberdrola International B.V.-Bond has a
maturity date of 10/11/2018 and offers a coupon of 4.2500%. The payment of the coupon will take place 1,0 times per Year on the 11.10.. At the current price of 105.07 EUR this equals a annual yield of 0.06%. The Iberdrola International B.V.-Bond was issued on the 4/11/2012 with a volume of 1000 M. EUR.